(1989). Macroeconomic News and the Stock Market: Evidence from Europe. Journal of Banking and Finance. 13. 613-626.WASSERFALLEN,WALTER.Macroeconomic News and the Stock Market :Evidence from Europe. Journal of Banking and Finance . 1989
Banks, and the Federal Reserve System; Monetary Policy; Fiscal Policy; Inflation, Unemployment, and Federal Reserve Policy; Macroeconomics in an Open Economy; The International Financial System Market: For anyone in business who wants to benefit from understanding the economic forces behind their work...
ScienceDirect is phasing out support for older versions of Internet Explorer on Jan 12, 2016. For the best product experience, we recommend you upgrade to a newer version of IE or use a different browser: Firefox or Chrome. For additional information please see the ScienceDirect Blog page. ...
Onshore and offshore market for Indian rupee: recent evidence on volatility and shock spillover [J]. Macroeconomics and Finance in Emerging ... H Behera - 《Mpra Paper》 被引量: 25发表: 2010年 Empirical Evidence on the Relationship Between Stock Market Development and Economic Growth: A ...
1. Assumptions for classical theories (the economy in the long run): A1. The role of money is ignored. A2. There is no trade with other countries. A3. The factors of production are fully employed. A4. The capital stock, the labor force, and the production technology are fixed. A...
A Neoclassical Analysis of the Asian Crisis: Business Cycle Accounting for a Small Open Economy. This paper applies the business cycle accounting method a la Chari, Kehoe and McGrattan (2007) to a standard neoclassical small open economy model and asse... Otsu,Keisuke - 《B.e.journal of Ma...
Stock market volatility Looking at variables like these together gives you a big-picture view of the market. Limits of macroeconomics Keeping track of macroeconomic variables and objectives lets you take stock of the market, which is important for governments, lenders, investors, and business owners...
“Charlie and I don’t pay attention to macro forecasts. We have worked together now for 54 years, and I can’t think of a time we made a decision on a stock, or on a company...where we’ve talked about macro.”1Buffett also has referred to macroeconomic literature as “the funny...
12.可贷资金市场(market for loanable funds):想储蓄的人借以提供资 金、想借钱投资的人借以借贷资金的市场。 13.挤出(crowding out):政府借款所引起的投资减少。 二、案例收集 (一)美国政府债务史 9 负债率是政府财政状况的一个标志。历史上,政府债务波动的主要原因是 战争,战争爆发时,税收的增加通常远远小于...